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Faris Alshubiri

Biographic Data

ID320087
NAMEFaris Alshubiri
GIVEN NAMESFaris
FAMILY NAMEAlshubiri
SIGNATUREALSHUBIRI F
AFFILIATIONSDhofar University
ORCID0000-0003-1470-5266
VERIFIEDYes
TOTAL WORKS7
TOTAL CITATIONS1
AUTHOR COUNT7
EDITOR COUNT0
FIRST PUBLICATION YEAR2015
LATEST PUBLICATION YEAR2024
H-INDEX1
  • Foreign higher education and corruption: Is host country knowledge a blessing or a curse? Empirical evidence from Mena countries

    Open Access•Faris Alshubiri, Hyder Husni A L Mughrabi et al.•ARTICLE•Asia Pacific Education Review•2024

  • Housing affordability indicators and the sustainability paradigm in OECD countries

    Open Access•Faris Alshubiri, Mawih Kareem Al Ani•ARTICLE•Cities•2024•Cited by: 1•References: 92

  • Public financial management indicators for emergency response challenges and quality of well-being in OECD countries

    Open Access•Faris Alshubiri, Mohamed Elheddad et al.•ARTICLE•Mind & Society•2023•References: 19

  • Analysis of financial sustainability indicators of higher education institutions on foreign direct investment: Empirical evidence in OECD countries

    Open Access•Faris Alshubiri, Faris Nasif Alshubiri•ARTICLE•International Journal of…•2021

    Purpose The purpose of this study is to examine the impact of financial sustainability indicators of higher education on foreign direct investment (FDI) using empirical evidence from 26 Organization for Economic Co-operation and Development (OECD) countries. The basic criterion for determining the financial sustainability of higher education institutions included indicators of income generated by higher education institutions being greater than t…

  • Portfolio Returns of Islamic Indices and Stock Prices in GCC Countries: Empirical Evidence From the ARDL Model

    Open Access•Faris Alshubiri•ARTICLE•SAGE Open•2021

    This study aimed to analyze four portfolio returns of Islamic indices to determine the potential of attracting investments in the Islamic Stock Price Index of the six Gulf Cooperation Council (GCC) countries. Monthly data were collected from S&P Dow Jones Indices LLC reports covering the period from December 31, 2010 to December 31, 2019. The study applied the autoregressive distributed lag (ARDL) method for estimation. The findings show that the…

  • The impact of fish production on marine trade balance and foreign direct investment: An empirical study of the GCC economies

    Open Access•Faris Alshubiri, Mohamed Elheddad et al.•ARTICLE•Marine Policy•2020

  • The Impact of Financial Postion on Risk Asset Ratios: Emirical Study of Banking Sector Listed in Muscat Security Market

    Open Access•Faris Alshubiri•ARTICLE•Economics & Sociology•2015

    This study aims to analysis the impact of financial position based on four groups of risk asset ratios as capital adequacy based on three variables in the banking sector listed in Muscat Security Market (MSM) of Oman. The population of this study is six banks from the period 2009 to 2013. The multiple regression results indicate there is an impact of asset quality and total regulatory capital ratio and between asset quality, profitably and tier 1…

  • Housing affordability indicators and the sustainability paradigm in OECD countries

    Open Access•Faris Alshubiri, Mawih Kareem Al Ani•ARTICLE•Cities•2024•Cited by: 1•References: 92

  • The Impact of Financial Postion on Risk Asset Ratios: Emirical Study of Banking Sector Listed in Muscat Security Market

    Open Access•Faris Alshubiri•ARTICLE•Economics & Sociology•2015

    This study aims to analysis the impact of financial position based on four groups of risk asset ratios as capital adequacy based on three variables in the banking sector listed in Muscat Security Market (MSM) of Oman. The population of this study is six banks from the period 2009 to 2013. The multiple regression results indicate there is an impact of asset quality and total regulatory capital ratio and between asset quality, profitably and tier 1…

  • The impact of fish production on marine trade balance and foreign direct investment: An empirical study of the GCC economies

    Open Access•Faris Alshubiri, Mohamed Elheddad et al.•ARTICLE•Marine Policy•2020

  • Analysis of financial sustainability indicators of higher education institutions on foreign direct investment: Empirical evidence in OECD countries

    Open Access•Faris Alshubiri, Faris Nasif Alshubiri•ARTICLE•International Journal of…•2021

    Purpose The purpose of this study is to examine the impact of financial sustainability indicators of higher education on foreign direct investment (FDI) using empirical evidence from 26 Organization for Economic Co-operation and Development (OECD) countries. The basic criterion for determining the financial sustainability of higher education institutions included indicators of income generated by higher education institutions being greater than t…

  • Portfolio Returns of Islamic Indices and Stock Prices in GCC Countries: Empirical Evidence From the ARDL Model

    Open Access•Faris Alshubiri•ARTICLE•SAGE Open•2021

    This study aimed to analyze four portfolio returns of Islamic indices to determine the potential of attracting investments in the Islamic Stock Price Index of the six Gulf Cooperation Council (GCC) countries. Monthly data were collected from S&P Dow Jones Indices LLC reports covering the period from December 31, 2010 to December 31, 2019. The study applied the autoregressive distributed lag (ARDL) method for estimation. The findings show that the…

  • Public financial management indicators for emergency response challenges and quality of well-being in OECD countries

    Open Access•Faris Alshubiri, Mohamed Elheddad et al.•ARTICLE•Mind & Society•2023•References: 19

  • Foreign higher education and corruption: Is host country knowledge a blessing or a curse? Empirical evidence from Mena countries

    Open Access•Faris Alshubiri, Hyder Husni A L Mughrabi et al.•ARTICLE•Asia Pacific Education Review•2024

  • Housing affordability indicators and the sustainability paradigm in OECD countries

    Open Access•Faris Alshubiri, Mawih Kareem Al Ani•ARTICLE•Cities•2024•Cited by: 1•References: 92

Economics (7 works) · Business (4 works) · Econometrics (3 works) · Economic growth (3 works) · Islamic Finance and Banking Studies (3 works) · Economic Growth and Development (2 works) · Endogeneity (2 works) · Energy, Environment, Economic Growth (2 works) · Finance (2 works) · Fiscal Policy and Economic Growth (2 works)

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